Full-time Posted June 24, 2026
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Job Description


  • Oversee full set of accounts and ensure timely monthly closing.

  • Review monthly management accounts, including variance analysis against budget and prior periods.

  • Ensure accuracy, completeness, and compliance with applicable accounting standards and internal policies.

  • Coordinate and manage external audit, tax filings, and statutory reporting requirements.


Cashflow & Treasury Operations



  • Prepare and maintain rolling cashflow forecasts, with clear visibility on funding gaps and liquidity position.

  • Monitor daily cash position, working capital movements, and payment cycles.

  • Execute treasury functions including payments, fund transfers, and utilisation of financing facilities. Take ownership of surplus cash management by optimising returns through placement in short-term deposits and other low-risk instruments, in line with treasury policies and liqui...

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